シャドーイング練習: Why Investors Are Living Through President Trump's Stock Market - YouTubeで英語スピーキングを学ぶ

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The stock market has set 53 all time record highs since the election. Think of that one year. Everybody's up.
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The stock market has set 53 all time record highs since the election. Think of that one year. Everybody's up.
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Way up. President Donald Trump has built a reputation as the Pro Stock market president, overseeing record highs.
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The S&P 500 gaining 13% at today's high in just 13 trading days. The only other time this has happened was the peak of the bubble in March of 2000.
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While also triggering some of the market's sharpest drops.
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Stocks going out at the lows. The Dow falling more than 1600 points almost 1700 points. The S&P and Nasdaq just finished their worst sessions since 2020.
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All the major averages now in correction territory or worse.
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Within just the first two months of Trump's second term, the S&P 500 suffered one of the fastest declines into correction territory since World War Two, driven largely by uncertainty surrounding his tariff policies.
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Markets were rattled once again less than a month later, after Trump's so-called Liberation Day tariff announcement pushed the broad market index close to bear market territory.
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But while the sell offs have been dramatic, the recoveries have been just as remarkable. Both market pullbacks during Trump's second term recovered faster than the historical median of 34 days.
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One recent rebound erased a 9.1% decline in just 16 calendar days. That's tied for the ninth fastest recovery since World War Two. So why is the market so resilient? Strategists point to a few things: AI, corporate strength and investor psychology.
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I think going into Trump 2.0, the market realizes that the president is a business oriented president, and the administrative policies will be toward helping to secure higher earnings and as a result, higher share prices.
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Experts say institutional investors now fear missing rallies more than enduring short term losses, creating a powerful sense of FOMO or fear of missing out.
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You have really a generation, couple of generations of investors, not only individual investors, mind you, institutional investors, and have come to expect, understandably so, that every dip is a buying opportunity. To be fair, with only limited exceptions, they have been.
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So it's understandable where that comes from. Also it's important to remember that it's easy to say, oh, this is driven a lot by FOMO and whatever, you know, whatever else. But FOMO is a very real thing for an institutional investor.
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The extreme fluctuations are being driven less by fundamentals and more by headlines, particularly those related to governmental policy.
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We've been in a very headline driven world, headline driven market, and investors have just had to kind of strap on and get get on the roller coaster and go along with it.
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Trump has been responsible for the five best and five worst trading days of his second term. The single best day came on April 9th, 2025, when the S&P 500 surged more than 9% after Trump announced a pause on sweeping tariffs. If you remove the five best days of Trump's second term, all driven by his own announcements, the S&P 500 would actually only be up slightly since he took office. Instead would those days included, the index has risen more than 20%.
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That level of direct presidential influence over markets is virtually unprecedented.
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No other president has had this level of control over the fortunes made in the stock market. The only strategy investors need to follow is don't fight the white House because you're going to lose and you're not going to make any money.
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Trump's rapid fire communication style has fundamentally changed how markets react to politics and isn't likely to go away anytime soon. Even future presidents, experts say, may be forced to adopt similar tactics.
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There's no going back.
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What we're witnessing is the democratization of communications.
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Even a president who comes in and tries to implement a very steady and routine mode of communication may end up having to adopt some of Trump's standards later because of the situation he finds himself in.
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The result? A market increasingly driven by policy headlines and political messaging in real time. And according to many on Wall Street, that means investors uneasiness may simply be the new normal going forward.
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I don't know if we've ever had a market that's as fixated on the day to day news coming out of the white House under President Trump going forward, I think this volatility is just we're going to have to get used to.

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このビデオで話す練習をする理由

投資家がトランプ大統領の下で株式市場をどのように経験しているかを理解することは、英語のスピーキングスキルを向上させるために非常に重要です。このビデオは、経済や市場についての複雑な用語やアイデアを扱っているため、英語シャドーイング(shadow speak)を通じて、リスニング力と発音を向上させる素晴らしい機会を提供します。ビデオを観て、その内容を声に出して繰り返すことで、実際の英会話における自然なリズムやイントネーションを習得できます。また、YouTubeで英語学習をしながら、経済的な知識を得ることもできるため、実生活での会話に役立つでしょう。

文法と文脈での表現

このビデオから学べる重要な文法構造には、以下のようなものがあります:

  • "has set 53 all time record highs" - 現在完了形を使用して、過去から現在にかけての出来事の影響を示しています。
  • "driven largely by uncertainty" - 副詞を使い、何が行動を引き起こしたのかを明確にしています。
  • "the market realizes that the president is" - that節を使った間接話法で、情報を伝える際の便利な方法です。
  • "fears missing rallies more than enduring short term losses" - 比較級を用いて、優先順位を表現しています。

これらの表現は、特にIELTS スピーキング対策として有用で、会話の流れに馴染みやすいものです。

一般的な発音の罠

このビデオでは、特定の単語やフレーズが発音の際に難しい場合があります。以下は注意すべきポイントです:

  • “President” - 最初の「e」が発音される際、特に日本語話者にとっては難しいことがあります。
  • “tariff” -「i」の音を明確に区別することが重要です。
  • “investor” - スラスラとした流暢な発音には練習が必要です。

これらの単語を何度もリピートすることで、より自然な発音を身に付けることができ、shadowspeaksの練習にも役立つでしょう。

シャドーイングとは?英語上達に効果的な理由

シャドーイング(Shadowing)は、もともとプロの通訳者養成プログラムで開発された言語学習法で、多言語習得者として知られるDr. Alexander Arguelles によって広く普及されました。方法はシンプルですが非常に効果的:ネイティブスピーカーの英語を聞きながら、1〜2秒の遅延で声に出してすぐに繰り返す——まるで「影(shadow)」のように話者を追いかけます。文法ドリルや受動的なリスニングと異なり、シャドーイングは脳と口の筋肉が同時にリアルタイムで英語を処理・再現することを強制します。研究により、発音精度、抑揚、リズム、連音、リスニング力、そして会話の流暢さが大幅に向上することが確認されています。IELTSスピーキング対策や自然な英語コミュニケーションを目指す方に特におすすめです。